Capital Management Trader

Capital Management Trader required at this Leading Bank.  You will deliver the improved balance sheet for financial Markets through RWA reductions by supporting  work to, drive better understanding and measurement of capital and RWAs accross the business, and behaviour change needed to ensure the drivative portfolio retains a high Return on Capital RoC. You will manage the Counterparty Risk Capital exposure drivers , such as CSA, Collateral Optimisation, Back Loading, Central Counterparty Clearing, Initial Margin, Mandatory and Optional Break Clauses.You will provide technical expertise and Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Associate, Debt Investments

Our client is a major debt fund, who are now looking to recruit an Associate to their team. The fund invests in high yield bonds, CLOs, and other subinvestment grade debt. They are one of the big names in the sector and manage a number of significant funds for their clients. Its a great firm.The role will involve carrying out detailed financial analysis and credit research on debt investments, looking at both primary and secondary trades. You will work closely with portfolio managers on their positions.Candidates will come from one of the following backgrounds:- credit analysts with other sub investment Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Credit/Market Risk Data Sourcing Business Analyst (5-6 months, extendable)

 Risk Data sourcing Business Analyst Specific deliverables of the role:sourcing required risk sensitivities and static data utilising strategic and tactical data sources of CSdelivery to current Risk Data Collation architecture used globally within CS THE ROLE INVOLVES: The primary focus of the role includes the analysis, specification, design and implementation of daily market risk feeds.   This role’s main focus is to coordinate and test the migration of risks calculated on spreadsheets into strategic risk systems.The key elements of these projects include planning, assessment of completeness Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Manager, Product Risk

Responsibilities: Oversee due diligence on issuers/fund houses and wealth management products (including both retail and private banking wealth management products), including the preparation of the Issuer/Fund House Approval (IFA), Product Type Approval (PTA) and Product Due Diligence Analysis (DDA) (with the calculation of Product Risk Rating (PRR))Work closely with risk management department, legal and compliance department and support units in the product due diligence processClosely monitor the risk of wealth management products, including the preparation of the annual, bi-monthly and event-driven Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

General Manager- Portfolio Risk Management AAP

POSITION AVAILABLE  :    A Leading Financial Institution branch in Singapore are growing their team and currently looking to fill a senior role of “General Manager (E4 level) – Portfolio Risk Management AAP” REPORTING TO       :           Head of Risk Management AAP (E3 Level)                                                 REQUIREMENTS     :BA or MA in Computer Science/Statistics/Mathematics/MIS related;At least 5 years of working experience in financial or banking businesses;Strong knowledge and solid experience in portfolio Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Credit analyst

Our client, a global BPO organisation recognised as a world leader and innovator in business process outsourcing is establishing a new delivery centre in Krakow.The new delivery centre in Krakow will offer a challenging, dynamic and international work environment with access to a global network of expertise and knowledge with significant career development opportunities.CREDIT ANALYST The primary responsibility of this position is to perform credit analysis and reviews, monitor credit performance of existing customers and help make credit decisions in compliance with existing corporate policies. Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Retail Portfolio Risk Manager | Malaysia | Selby Jennings

*This role will be based in Kuala Lumpur. Malaysia-based and Returning Malaysians are welcome to apply.The Mid Level Portfolio Risk Manager will report to and work very closely with the Head of Risk to play a key role and manage the Bank’s unsecured portfolio, while assisting in the process of putting profitable business on the Bank’s books.What the Role InvolvesPlay a key role in managing the unsecured portfolio;Assist in developing Retail Banking and Wealth Management (RBWM) unsecured risk management function;Analyze portfolio performance via available and ad-hoc reports to identify portfolio Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Commodity Trade Finance Manager

SOCAR Trading Singapore Pte LtdSOCAR Trading is the international marketing and development arm of SOCAR, the State Oil Company of Azerbaijan Republic. SOCAR Trading markets the bulk of SOCAR crude oil to be exported and trades significant volumes of third party crude and oil products. SOCAR Trading Singapore has been established to pursue the international expansion of SOCAR Trading in the Asian-Pacific region. SOCAR Trading Singapore is expanding its business and team and is currently looking to hire a Commodity Trade Finance Manager :Commodity Trade Finance ManagerResponsibilities:Manage Import Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Debt Structurer

The Debt Structuring team is an internal external client facing team responsible for structuring credit transactions for the client across the UK, EMEA, India and Asia regions and includes lending experts in residential and commercial real estate, corporate jet and super yacht, and investment leverage. The Debt Structurers are focused on structuring pricing credit transactions, ensuring regulatory capital use is optimised in all lending structures, negotiation with clients and with Bankers, credit training for the ‘sales force’, credit stewardship and resolving credit related issues.The individual Read more […]

July 29, 2013 • Tags:  • Posted in: Financial • No Comments

Credit Audit Manager

– One of the leading Banks in the region, with a fantastic reputation in the market. The Bank are known to attract and retain some of the top talent from around the World, creating exciting opportunities for any candidate. The Bank are one of the fastest growing in the region and have one of the strongest balance sheets, offering services within retail, corporate, investment Banking.- Reporting into the Unit Head of Internal Audit, you will be responsible for delivering the Bank’s Credit Audit needs, insuring that all the policies and procedures are met. You will also play an active part in defining Read more […]

July 28, 2013 • Tags:  • Posted in: Financial • No Comments